The major themes of this book are the measurement and management of the risks of financial institutions.
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This text focuses on managing return and risk in modern financial institutions. The central theme is that the risks faced by managers and the methods and markets through which these risks are managed are becoming increasingly similar.
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Showing 6 featured editions. View all 20 editions?
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Financial institutions management: a risk management approach
2006, McGraw-Hill/Irwin, Mcgraw-Hill College
in English
- 5th ed.
0072957468 9780072957464
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Financial institutions management: a risk management approach
2003, McGraw-Hill/Irwin
in English
- 4th ed.
0072486198 9780072486193
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4
Financial institutions management
1997, Irwin, Represented in Canada by McGraw-Hill Ryerson
in English
- 1st Canadian ed.
0256195757 9780256195750
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Financial Institutions Management: A Modern Perspective (Irwin Series in Finance)
August 1996, Irwin Professional Publishing
Hardcover
in English
- 2nd edition
0256153671 9780256153675
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Financial institutions management: a modern perspective
1994, Irwin
in English
0256110565 9780256110562
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